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Managing Hedge Fund Risk and Financing: Adapting to a New Era / Edition 1
Item s unavailable for purchase. Please review your cart. You can remove the unavailable item s now or we'll automatically remove it at Checkout. Remove FREE. Unavailable for purchase. Continue shopping Checkout Continue shopping. Chi ama i libri sceglie Kobo e inMondadori. Belmont series Wiley Finance Choose Store.
Shows how to manage hedge fund risk through the application of financial risk modelling and measurement techniques as well as the structuring of financial relationships with investors, regulators, creditors, and trading counterparties Written by a global finance expert, David Belmont, who worked closely with hedge fund clients during the crisis and experienced first hand what works Explains how to profit from the financial crisis In the wake of the Financial Crisis there have been calls for more stringent management of hedge fund risk, and this timely book offers comprehensive guidelines for CFOs looking to ensure world-class levels of corporate governance.
In order to avoid the strict regulations of the Investment Company Act of ,18 Alfred Jones registered his funds as a general partnership in which he was a general partner with unlimited liability and the investors had limited liability. Thus, unlike traditional investment funds, he could follow a flexible investment policy by also being able to pool the resources of external investors.
The underlying principles of the investment policy adopted by the A. The only difference was that it combined investment decisions with financial.
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